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Última actualización: —
PORTFOLIO ?Cash USDC.e (Polygon RPC) + valor posiciones oficial (data-api /value). Posiciones abiertas y KPIs de cierre vienen de /positions y /closed-positions.
$0
CASH ?Saldo USDC.e del proxy en Polygon (RPC).
$0
PNL REAL ?Portfolio menos capital neto (CSV importado: depósitos − retiros; si no, bot_settings/env).
$0
ROI ?PnL real / capital neto (misma base que arriba).
0%
WIN RATE 24h ?Mercados cerrados (net por conditionId) con último cierre en 24h — Data API /closed-positions.
0%
BOT CONFIGURATION
KELLY
0%
SURVIVAL FLOOR
0%
CIRCUIT BREAKER
L0
STRATEGIES
0/4
MODE
—
30-DAY PERFORMANCE
ROI 30d
0%
WIN RATE 30d
0%
SHARPE 7d / 30d
0 / 0
PROFIT FACTOR 30d
0
TRADES 30d
0
Category Exposure y Portfolio Breakdown (Chart.js) — carga diferida para mejor rendimiento.
STRATEGY PERFORMANCE (30d)
| Strategy | Trades | Wins | Losses | Win Rate | Total PnL | Avg PnL |
|---|
🐋 WHALE MIRROR
EXPOSURE
$0
WIN RATE
0%
AVG EDGE
0%
TOP WHALES (30d)
| Whale | Trades | WR | PnL |
|---|
🎰 VEGAS-ONLY
WIN RATE
0%
TOTAL PNL
$0
AVG EDGE
0%
TRADES
0
AVG PNL
$0
OPEN
0
🐳🎰 VEGAS-WHALE CONFIRM
WIN RATE
0%
TOTAL PNL
$0
AVG EDGE
0%
TRADES
0
AVG PNL
$0
CONFIRMED
0
🌦️ WEATHER ENGINE
WIN RATE
0%
TOTAL PNL
$0
TRADES
0
AVG PNL
$0
OPEN
0
30D
0
🛡️ RISK METRICS
DRAWDOWN FROM ATH
0%
ATH
$0
MAX DD 7d
0%
MAX DD 30d
0%
WIN STREAK
0
LOSS STREAK
0
📈 PROJECTED RETURNS
EST. MONTHLY ?Conservative estimate based on 30-day realized performance.
0%
EST. MONTHLY (BEST) ?Optimistic estimate based on best 7-day performance.
0%
EST. ANNUAL ?Annualized from conservative monthly estimate.
0%
EST. ANNUAL (BEST)
0%
TIME TO 2x ?Estimated months to double portfolio at current pace.
—
DAILY AVG P&L (30d)
$0
OPEN POSITIONS
0
UNREALIZED PNL
$0
TOTAL TRADES
0
W / L
0 / 0
Cumulative & Daily PnL
Daily Breakdown
| Date ⇅ | Daily PnL ⇅ | Cumulative ⇅ | Trades ⇅ | Win Rate ⇅ | Daily ROI % ⇅ |
|---|
Open Positions (0)
| Market ⇅ | Cost ⇅ | Value ⇅ | To Win ⇅ | PnL $ ⇅ | PnL % ⇅ | Ends ⇅ | Cat ⇅ | Source ⇅ |
|---|---|---|---|---|---|---|---|---|
| TOTAL | $0 | $0 | $0 | $0 | 0% | |||
Account data is synced correctly
ACCOUNT SUMMARY
NET CAPITAL ?Depósitos − retiros según CSV importado; si no hay CSV, bot_settings / env.
$0
CURRENT VALUE ?Cash on-chain + Polymarket /value (misma base que Overview).
$0
TOTAL RETURN ?Current value minus what you deposited. Includes open positions that haven't been sold yet.
$0
REALIZED (API) ?Suma de realizedPnl en Polymarket Data API /closed-positions. Drift vs bot = trades.db cerrados.
$0
Why are these different?
Total Return includes positions that are still open — their value changes every second. Realized Profit only counts trades that have been closed. The difference is your unrealized P&L (open positions gaining or losing value) plus trading fees.
Total Return includes positions that are still open — their value changes every second. Realized Profit only counts trades that have been closed. The difference is your unrealized P&L (open positions gaining or losing value) plus trading fees.
POLYMARKET PORTFOLIO VALUE
📝 Weather Paper Trading
Simulación trades.db · Análisis temperatures.db
VISTA
PAPER PORTFOLIO ?Capital contable: inicial + PnL realizado (cerrados). Se cumple: PORTFOLIO = CASH LIBRE + DEPLOYED (coste nominal en abierto). No incluye ganancia flotante; para eso ver LIVE PORTFOLIO.
$1,500
REALIZED PnL ?Neto = suma de pnl_usd de todas las patas ya cerradas (ganadoras y perdedoras). Debe coincidir con bruto ganador + bruto perdedor.
$0.00
WIN RATE ?% de canastas ciudad+día ya resueltas con PnL neto > 0 (la canasta completa es la unidad de cuenta).
0%
OPEN LEGS ?Filas en paper_trades con status=open (patas de canasta aún no resueltas).
0
TOTAL LEGS
0
CASH LIBRE ?Efectivo paper disponible para nuevas patas: PAPER PORTFOLIO − DEPLOYED (coste nominal Σ size_usdc abierto). Cifra de toda la cuenta; no cambia al filtrar tablas.
$0.00
= portfolio − deployed
DEPLOYED ?Coste nominal atado en patas abiertas (suma de size_usdc). Con filtro de ciudad/fecha solo suma lo visible en tablas.
$0.00
VALOR MTM ?Valor de mercado de las patas abiertas: shares × precio YES desde Gamma (Polymarket). No es saldo de tu wallet real; es simulación paper.
$0.00
Gamma · abierto
PnL FLOTANTE
$0.00
MTM − deployed
LIVE PORTFOLIO ?Patrimonio paper mark-to-market: PAPER PORTFOLIO + PnL flotante (solo patas abiertas visibles si hay filtro).
$1,500
Paper Positions & Forecasts
Loading paper data...
Weather Live
Cuenta real · /api/weather-live
Filtra el resumen de arriba; el historial real de cestas está al final de la pestaña.
PORTFOLIO
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REALIZED PnL
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WIN RATE
—
OPEN CITIES
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TOTAL CITIES
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CASH LIBRE
—
DEPLOYED
—
Historial real (cestas + movimientos)
Datos de
onchain_trades (poller + CSV). Una fila por cesta ciudad + target_date; depósitos y retiros como filas aparte. Win/Loss según PnL agregado de la cesta (basket_realized_pnl).—
| Ciudad | Target Date | Legs | Cost (USDC) | Observed Max | Winning Bucket | Status | Realized PnL |
|---|---|---|---|---|---|---|---|
| Totales (filtrado) | $0.00 | — | |||||
📜 Logs del Bot
JSONL horarios ·
logs/polymarket-bot.log.*.log · Rango rápido
| Timestamp | Level | Message | Detalles |
|---|